How do developing countries today differ from already developed countries in their earlier stages of development? Explain any TWO differences.

Answers

Answer 1

Developing countries today differ from already developed countries in their earlier stages of development in the following ways:

1. Level of Industrialization: Developing countries are still in the early stages of industrialization. They have an unbalanced economy, in which the majority of the population is still engaged in agriculture, and only a small percentage is engaged in industry and services. Developed countries, on the other hand, have a highly industrialized economy, in which the majority of the population is engaged in industry and services, and only a small percentage is engaged in agriculture.

2. Standard of Living: Developing countries have a lower standard of living than developed countries. They have inadequate infrastructure, including limited access to clean water, sanitation, healthcare, and education. As a result, the mortality rate in developing countries is higher, and life expectancy is lower than in developed countries. Developed countries have a higher standard of living, with better infrastructure, healthcare, and education, leading to a higher life expectancy and lower mortality rates.

3. Another difference is in terms of income. Developed countries have higher income levels than developing countries. Developed countries are characterized by high levels of income, low unemployment rates, and relatively small income inequalities. Developing countries, on the other hand, are characterized by low levels of income, high unemployment rates, and large income inequalities.

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Related Questions

How can you save money on an auto loan?

A: Go to many banks and negotiate for a low rate
B: Only use the bank the car salesman suggests
C: Go with the first offer immediately
D: Take out a high interest loan

Answers

Go to many banks a negotiate for a low rate

Answer:

A: Go to many banks and negotiate for a low rate

PLEASE HELP MEEEE PLEASE!!!!!!!!!!!!!!!!!
Which of these describes an aspect of a product benefit?
Answer Choices:
A. Appeal to our senses
B. The advantages of product features
C. Relate to the quality of the merchandise
D. Physical in nature

Answers

Answer:

B or C, probably B

Explanation:


Most new jobs in the United States will be in the a manufacturing industries:

b. goods-producing industries

C. service-producing industries

d. agriculture-producing industries

Please select the best answer from the choices provided

Α
B
С
D

Answers

Answer:

d agriculture-producing industries

Most new jobs in the United States will be in manufacturing industries service producing industries.  The correct option is c.  

In the United States, manufacturing is an important economic sector. The United States is the world's third-biggest manufacturer (after the People's Republic of Chine and the European Union), with a record high real output of $2.00 trillion (adjusted for inflation in 2009 dollars) in Q1 2018, significantly above the $1.95 trillion peak before the Great Recession in 2007.The manufacturing industry in the United States employed 12.35 million people on December 2016 versus 12.56 million in December 2017, a 1.7% rise.

Manufacturing, while still a significant portion of the US economy, contributed less to GDP in Q1 2018 than the 'Finance, insurance, real estate, rental, other leasing' sector, the 'Government' sector, or the 'Professional and business services' sector.

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Which of these careers include supervising others?


welder
welder

project manager
project manager

foreman
foreman

forklift operator

Answers

The careers  that needed supervision of others are  welder and foreman. Thus option (a) and (b) are correct.

Who is a welder?

A welder is a skilled tradesperson who specializes in joining pieces of metal or thermoplastics together using various welding techniques.

Welders must have a good understanding of welding techniques and materials, as well as safety practices and regulations. They use a variety of tools and equipment such as welding machines, cutting tools.

The  welder and foreman are the professions that need supervision of others. Therefore, option (a) and (b) are correct.

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Cindy Haskins is paid $9.00 an hour. Her overtime rate is 2 times (double time) her regular hourly rate. This week Haskins worked her regular 40 hours plus 8 hours of overtime. What is her total pay?

Answers

Her entire compensation is $504.

The term "total pay" means what?

Total Pay is the sum of a worker's regular straight-time pay or base salary plus any additional wages received for overtime, shift differentials, incentive pay, bonuses, and other special payments.

The following formula will be used to determine Cindy Haskins' total compensation:

Hourly Payment per hour= $9.00

Hours worked= 40 hours

Payment = 40 X 9 = $360

Overtime payment per hour = $9.00 X 2= $18

Overtime = 8 hours

Payment = 18 X 8= $ 144

Total Payment= $360 + $144= $504

How do you figure up total pay?

The number of hours worked multiplied by the hourly wage of an employee is how gross wages for hourly workers are determined. For instance, if a worker does 25 hours per week of part-time employment at a wage of $12, their gross compensation would be $300 (25 x $12 = 300).

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Which of the following is an example of a good practice when developing a bad-news message?
Select one:
a.
Dan, a manager at Oak Inc., avoids providing reasons to support the refusal in his bad-news message.
0
b.
Aaron, a manager at Calibon Inc., avoids using "company policy" as a reason in his bad-news message.
0
c.
Meena, a manager at WillWare Inc., avoids emphasizing how her audience will benefit from a decision.
0
d.
Rachel, a manager at TechnoGram Inc., avoids using the inductive approach when developing a bad-news message.
0
0
d. A bad-news statement should be written using passive voice.

Answers

Good practice when developing a bad-news message is .Aaron, a manager at Calibon Inc., refrains from citing "business policy" as justification for the bad news. Option B is correct

There are two ways to convey terrible news: either directly express the unpleasant news or soften it by providing an explanation beforehand. Be forthright if the unpleasant news is mild or if your reader anticipates it. Reduce the likelihood of misunderstanding or back-and-forth communication by being clear and succinct. Assist the recipient in comprehending and accepting the news. Keep the receiver in mind while maintaining your trust and respect for the company or organization. Avoid being held accountable or making a false admission of guilt or responsibility.

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the highlighted structure contributes to which autonomic function? inferior view of the brain. the highlighted structure is the most inferior bunch of yellow colored tissue arising between an oblong structure situated in the middle of the brain and a large structure, each half of which embraces the roundish structure.the highlighted structure contributes to which autonomic function? stimulation of secretions of the submandibular and sublingual salivary glands

Answers

Stimulation of secretions of the submandibular and sublingual salivary glands.

What triggers the secretion of salivary glands?

The parasympathetic nerves and neuropeptides like substance P play a major role in the mechanism of salivary gland secretion, which also includes adrenergic signaling by sympathetic nerves. A mixed serous and mucous discharge is produced by submaxillary (mandibular) glands. The saliva that sublingual glands produce has a mucous composition in the majority of cases.

How can you increase salivation?

Increase your fluid intake by regularly sipping on cold water or an unsweetened beverage. Chew sugar-free gum or suck on sugar-free candies to encourage saliva production in your mouth. Sucking on an ice cube will wet your mouth as it slowly melts.

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HELP PLEASE, I WILL GIVE BRAINLIEST!!

Select the qualification that is best demonstrated in each example.

*Judy is a Veterinarian who lifts animals onto her examination table ________
*Isaac is an Aquacultural Manager who trains and oversees workers ________
*Felix is a Zoologist who studies goats and carefully records information in his notes about them _________

options:
-For Judy: problem-solving skills, physical strength, teaching skills, and communication skills

-For Isaac: attention to detail, problem-solving skills, organizational skills, and leadership skills

-For Felix: teamwork, attention to detail, teaching skills, and flexibility

Answers

Answer:

1. Physical strength

2. Leadership skills

3.  Attention to detail

Have a good day!!

Answer:

✔leadership skills

✔ physical strength  

✔ attention to detail

Explan ation:

Help this is super confusing

Help this is super confusing

Answers

Answer: Reasons

Explanation: Crystals are collected for jewelry, sugar, salt, computer chips. So if it shows you all those examples it would be collected for many reasons. I hope this helped!

____ is the measure of how long a product last

Answers

Answer:

This can be a varied answer, what are the options?

Explanation:

Answer: Consumability

Explanation:

Where are stop losses located in the market?

Answers

In the support method, an investor determines the most recent support level of the stock and places the stop-loss just below that level. The moving average method sees the stop-loss placed just below a longer-term moving average price.

what is the best career to go for?

Answers

Answer: Well what things are you interested in?

Explanation:

Answer:

My opinion is Technical Jobs. But become what you'd like to be

Explanation:

Imagine you are a training and development specialist.
You are tasked with creating a training workshop about strong meeting facilitation. Create an outline for this workshop.
Include:
Medium: Is your training in-person, webinar, online, or some other method? Objectives: What are your intended outcomes?
Outline: What information topics will you deliver on? What activities will you ask the people in the training to do, individually and in groups? How will the content be organized?
Deliverables: What will you have attendees produce or accomplish by the end of the training to show that they have absorbed the information?
Evaluation: What can you do at the end to measure participants' feelings about the training?

Answers

The goal of training session is to provide attendees with knowledge, skills, and understanding that they can apply in their work or personal lives.

What is training?

Training is the process of teaching or learning a particular skill, knowledge, or behavior through practice and instruction. In the context of machine learning, training refers to the process of teaching a computer algorithm to recognize patterns and make predictions based on input data. During training, the algorithm is fed a large amount of data, along with the correct outputs, and it adjusts its parameters to minimize the difference between the predicted output and the actual output. This process is repeated over many iterations until the algorithm can accurately make predictions on new, unseen data. Training is a crucial step in developing effective machine learning models and is essential for a wide range of applications, from image recognition and natural language processing to self-driving cars and fraud detection.

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Apple's updated flagship store is most associated with which marketing mix variable? a. Product b. Environment c. Distribution d. Price e. Promotion.

Answers

The marketing mix variable most associated with Apple's updated flagship store is the "Environment" (b).Apple's flagship store is known for its innovative and unique design, creating a distinctive and immersive environment for customers.

The store's physical layout, architecture, interior design, and use of technology all contribute to the overall environment. Apple aims to create a welcoming and visually appealing space that reflects its brand image and enhances the customer experience. While all elements of the marketing mix (product, price, place/distribution, promotion) play a role in Apple's overall marketing strategy, the flagship store's environment is particularly emphasized. The store's design aligns with Apple's premium product positioning and serves as a showcase for its latest products and technologies. The environment of the flagship store influences customers' perceptions, emotions, and behaviors, enhancing the brand's image and fostering customer engagement. It provides an opportunity for customers to interact with Apple products, receive personalized assistance from knowledgeable staff, and participate in workshops and events. The unique and immersive environment sets Apple's flagship stores apart from traditional retail spaces and contributes to their success in attracting and retaining customers.

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for students not wanting a traditional major in marketing or accounting, for example, the college decided to create a general business major, which allowed any combination of the easiest business courses to comprise the program. the competitive priority achieved in this example is:

Answers

In this scenario, the college decided to create a general business major for students who are not interested in traditional majors like marketing or accounting. This major allows students to choose any combination of the easiest business courses to make up their program.

The competitive priority achieved in this example is customization or flexibility. By offering a general business major with the option to choose from various business courses, the college caters to the diverse interests and preferences of students. It allows them to create a program that aligns with their specific career goals and interests within the business field.

This customization gives students the opportunity to tailor their education to their individual needs, which can be advantageous in today's ever-changing job market. By providing this flexibility, the college can attract and retain students who are seeking a non-traditional approach to their business education.

Overall, the competitive priority achieved in this example is customization or flexibility, which meets the needs and preferences of students who do not want a traditional major in marketing or accounting.

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~PLEASE HELP~
Why is it important to develop an idea of your potential career cluster now?

Answers

Answer:

It is important for you to get a idea what you would to be in because it is going to help you understand your purpose in life. It is going to help you choose the right college for you.

Explanation:

What are the eight differences between personal selling (direct contact) and non-personal selling (indirect contact, such as Internet sales)?

Answers

Answer:

see below

Explanation:

Personal selling is popularly known as a face to face selling or direct selling. In personal selling, the salesperson engages a potential customer in a conversation to persuade them to buy. This type of selling requires the physical presence of a salesperson engaging in a one-on-one conversation with the clients. Its success largely depends on the selling skills of the salesperson.

Non-personal selling is the use of advertisements to persuade customers to buy. There is no direct meeting between the seller and buyer; hence the term indirect, impersonal, or non-personal selling. Non-personal selling uses print media, broadcast media, and digital platforms to reach out to customers.

suppose you buy a share for $100. at the end of one year the share price is $114 and a $1 dividend is paid. if you do not sell the share, your total annual return is . multiple choice question. 1% 15% 14% 0.93%

Answers

Suppose you buy a share of stock for $100. At the end of one year, the stock price is $114 and a $1 dividend is paid. If you do not sell the stock, your total annual return is 15%.

(1/100) + ((114-100)/100) = 15%

Shares, also known as stocks, are securities that represent partial ownership of the issuing company. A unit of stock is called a "share" and entitles the owner to a portion of the company's assets and profits equal to the shares held by the owner. Equity means a share of ownership in a company.

An example stock is 100 shares of Disney Corporation stock. Buying stock usually requires the help of a stockbroker, as you cannot call the exchange and ask them to buy the stock directly. When you use a stockbroker, whether it's a human or an online platform, you can choose which investments to buy or sell and how to trade them.

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Analyzing the likelihood of the economy changing is part of understanding the of an investment.

Answers

They hold onto investments longer than they ought to recoup losses. Analyzing the chance of the economic dynamic is an element of understanding the of an investment. a handful has set to extend their financial gain from investments for once they retire in twenty years.

Economic risks are often represented because of the chance that AN investments are going to be littered with economic dynamics and conditions.

In an economic outlook, an investment is the purchase of products that don't seem to be consumed these days but are utilized in the long run to come up with wealth. In finance, an investment could be a money quality bought with the thought that the quality can give financial gain or can later be sold at a better value worth for a profit.

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Answer:

risks

Explanation:

A person wants to invest $23,000 for 2 years and is considering two different investments. The first investment, a money market fund, pays a guaranteed 6.1% interest compounded daily. The second investment, a treasury note, pays 6.3% annual interest. Which investment pays the most interest over the 2-year period? Select the correct choice below and, if necessary, fill in any answer box(es) to complete your choice. (Do not round until the final answer. Then round to the nearest cent as needed.) A. Both the market fund and the treasury note produce the same interest with $ B. The market fund is the better investment, since the market fund produces S in interest, and the treasury note pays S in interest. C. The treasury note is the better investment, since the market fund produces $ in interest, and the treasury note pays $ in interest.

Answers

Correct option is c.The treasury note is the better investment, since it produces more interest than the money market fund over the 2-year period.

The money market fund pays a guaranteed 6.1% interest compounded daily. To calculate the total interest earned, we can use the formula for compound interest:

A = P(1 + r/n)^(nt)

Where:

A = Final amount

P = Principal amount (initial investment)

r = Annual interest rate (in decimal form)

n = Number of times interest is compounded per year

t = Number of years

For the money market fund, the principal amount is $23,000, the annual interest rate is 6.1% (0.061 in decimal form), the number of times interest is compounded per year is 365 (since it is compounded daily), and the number of years is 2.

Using the formula, we can calculate the final amount:

A = 23000(1 + 0.061/365)^(365*2)

A ≈ $25,319.61

The interest earned can be found by subtracting the initial investment:

Interest = A - P

Interest ≈ $25,319.61 - $23,000

Interest ≈ $2,319.61

For the treasury note, the interest rate is 6.3% annually. To calculate the interest earned, we can use a simple interest formula:

Interest = P * r * t

Where:

P = Principal amount (initial investment)

r = Annual interest rate (in decimal form)

t = Number of years

Using the formula, we can calculate the interest earned:

Interest = 23000 * 0.063 * 2

Interest ≈ $2,898.00

Comparing the two investments, the treasury note earns $2,898.00 in interest, while the money market fund earns $2,319.61 in interest. Therefore, the treasury note is the better investment as it generates a higher amount of interest over the 2-year period.

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In multinational capital budgeting analysis, the following methods are used for
adjusting risk assessment except?
©A. Sensitivity analysis
©B. Certainty equivalent cash flows
C. Exchange rate forecasting
D. Simulation

Answers

In multinational capital budgeting analysis Sensitivity analysis method is not used. Option A is correct

In multinational capital budgeting analysis, various methods are employed to adjust risk assessment and make informed investment decisions. These methods help account for uncertainties and potential risks associated with international operations. However, exchange rate forecasting is not typically considered as one of these risk adjustment methods.

Sensitivity analysis is a common technique used to assess how changes in key variables, such as exchange rates, interest rates, or input costs, impact the project's financial outcomes. By varying these variables and observing their effects on project metrics like net present value (NPV) or internal rate of return (IRR), decision-makers can understand the project's sensitivity to different risk factors.

Certainty equivalent cash flows involve adjusting the expected cash flows of a project to reflect their riskiness. Risk-adjusted cash flows are derived by applying a risk premium or discount rate to compensate for the additional risk associated with international operations. This method ensures that the expected cash flows reflect the uncertainties and potential volatility of the project's cash inflows and outflows.

Simulation is another technique used in risk analysis. It involves generating multiple scenarios by randomly varying the input variables and observing the resulting outcomes. By running simulations repeatedly, decision-makers can understand the range of possible project outcomes and assess the associated risks.

While exchange rate forecasting is important for managing currency risk, it is not typically considered a method for adjusting risk assessment in multinational capital budgeting. Exchange rate forecasting focuses on predicting future exchange rate movements and is used to inform decisions related to hedging or managing currency exposures. It provides insights into potential currency risks but is not directly used to adjust risk assessment in capital budgeting analysis.

In summary, while sensitivity analysis, certainty equivalent cash flows, and simulation are commonly employed in multinational capital budgeting to adjust risk assessment, exchange rate forecasting serves a different purpose in managing currency risk and is not considered a direct method for risk adjustment.

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exit the industry enter the industry not produce the profit-maximizing output produce only where the marginal cost exceeds the marginal revenue

Answers

Pure competition can be best described as an industry involving a very large number of firms producing identical products and in which new firms can enter or exit the industry very easily.

The correct option is option A.

The correct option is option A.

A marketing scenario known as "pure competition" occurs when there are several companies selling the same thing, making it impossible for any one company to significantly affect pricing.

The ease with which new businesses can enter the market and great market knowledge are further existing factors. Also known as Atomistic Competition and Perfect Competition.

There are several suppliers and buyers in a market with just competition. Due to the competition, supply and demand may increase significantly.

All goods are comparable in a pure market competition. Although not being exactly the same, products may all have packaging, colours, and shapes that seem to resemble one another.

The given question is incomplete. The complete question is:

Which of the following best describes pure competition?

Multiple choice question.

An industry involving a very large number of firms producing identical products and in which new firms can enter or exit the industry very easily.

An industry involving a few firms producing identical products and in which new firms cannot enter or exit the industry very easily.

An industry involving one large firm producing many products and in which new firms cannot enter or exit the industry very easily.

An industry involving two firms producing identical products and in which new firms can enter or exit the industry very easily.

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true or false? whereas a vendor-neutral certification covers concepts and topics that are general in nature, a vendor-specific certification focuses on a specific product or product line.

Answers

The answer is false. A "vendor-neutral" certification is one that is not directly associated with a specific IT vendor. These certifications tend to develop a universally applicable base of knowledge and skills.

Vendor-specific certifications relate to and validate the competence of specific vendor technologies and tools. Vendor-neutral certifications, on the other hand, validate competencies in basic security and network fundamentals. Vendor certification indicates that the vendor has certain skills. Track vendor certifications to ensure your business operations comply with regulatory requirements. Vendor certifications are updated regularly and reliably updated as needed. Importantly, a vendor-agnostic system allows decisions to be made based solely on business needs.

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the three components of structured teaching are: schedules, task organization and work/activity systems and routines. T/F

Answers

The three components of structured teaching are: schedules, task organization and work/activity systems and routines. The statement is False.

False. The three components of structured teaching are schedules, physical organization, and visual supports. Structured teaching is an instructional approach commonly used with individuals with autism spectrum disorder or other developmental disabilities.

Schedules refer to the use of visual or written tools to provide a clear outline of daily activities or tasks.

Physical organization involves arranging the environment in a predictable and structured manner to support learning and independence. Visual supports include various visual aids, such as visual schedules, visual task prompts, or visual cues, which help individuals understand expectations and navigate through activities. Together, these components aim to create a structured and organized learning environment for individuals with specific needs.

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#1 You are driving down the highway when one of your tires suddenly blows out. You should

Pump your brakes rapidly, and steer your vehicle to control any skids.

Avoid using your brakes. Slow down gradually and concentrate on steering.

Press hard on your brake pedal and stop as quickly as you can.

Answers

Avoid using your brakes. Slow down gradually and concentrate on steering

What is misleading about the term “overdraft protection”? please answer will give brainliest to the first

Answers

Answer:

"Overdraft protection is a misleading term, because it doesn't protect you from overdrafting," Schliep said, after paying the bank back for the charges. "It allows you to overdraft when you don't have enough money in checking so you're not embarrassed by getting your card denied."

Explanation:

Answer:

it makes it sound beneficial but it will take money from you.

With overdraft protection, if you don't have enough money in your checking account, checks will clear and ATM and debit card transactions will still go through. If you don't have enough overdraft protection to cover a shortfall, transactions won't go through, and fees may be high.

Explanation:

Which of the following is NOT part of the promotional mix?

Question 20 options:

Physical Distribution


Public Relations


Advertising


Sales Promotion

Answers

Answer:

A- Physical Distribution

Explanation:

Advertising.Public relations or publicity.Sales promotion.Direct marketing.Personal selling.

Physical Distribution is part of marketing mix therefore it is A.

Beckenworth had cost of goods sold of $11,121 million, ending inventory of $3,789 million, and average inventory of $2,135 million. Its days' sales in Inventory equals: (Use 365 days a year.) Mariple Cholce 701 doys. 03. 543. 540. 124.4 days

Answers

The correct option is 124.4 days.The days' sales in inventory formula is: Days' Sales in Inventory (DSI) = (Average Inventory / Cost of Goods Sold) * 365 days/year

Given the values given in the question:Cost of Goods Sold = $11,121 millionEnding Inventory = $3,789 millionAverage Inventory = $2,135 millionThe formula for days' sales in inventory can be calculated as:

DSI = (Average Inventory / Cost of Goods Sold) * 365 days/yearDSI = ($2,135 million / $11,121 million) * 365 days/yearDSI = 0.192 * 365 days/yearDSI = 70 daysHence, the answer is 124.4 days.

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Administrative agencies have the power to investigate: Potential violations of any administrative law or federal statute. Potential violations of applicable state or federal statutes. Potential violations of the agency's rules or applicable statutes.

Answers

Administrative agencies have the authority to look into: Potential infractions of the agency's regulations or relevant laws.

Which administrative agency do you mean?

The basic definition of an administrative agency is an official government body with the power and responsibility to oversee, direct, and carry out specific laws or ordinances. The word "agency" does not appear in the titles of all administrative agencies. a government agency with the power to create more exacting and complex rules than are conceivable in a legislative environment in order to carry out legislative mandates. Law enforcement duties are carried out by numerous administrative organisations. The President is generally in charge of administrative agencies.

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The table shows the terms of a fixed-rate mortgage.
Which accurately describes the terms of this mortgage? Check all that apply.

The homeowner is borrowing $360,000.
The monthly interest rate is 4 percent.
Monthly payments must be made for 30 years.
The annual interest rate is 4.8 percent.
The homeowner is borrowing $200,000.
Monthly payments must be made for 360 years.

The table shows the terms of a fixed-rate mortgage.Which accurately describes the terms of this mortgage?

Answers

The fixed-rate mortgage concept is used in home loans. Monthly payments for 30 years, the interest rate is 4.8%, and borrowing $200,000.

What is a fixed-rate mortgage?

It is usually used in home loans with a fixed interest rate during the term of the loan. It is beneficial because once the rate of interest is fixed it is not influenced by the increase in the rate in the future.

C - Monthly payments for 30 years.

D - The interest rate is 4.8 % annually

E -  borrowing $200,000.

Therefore, options C, D, and E explain the fixed-rate mortgage.

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